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Role : Liquidity Risk Reporting
Location : Chennai
Exp : 5yrs to 15yrs
Purpose of the role
To verify that the bank has sufficient funds to meet its short-term and long-term obligations, and the development and implementation of strategies to manage the bank's liquidity position.
Accountabilities
Development and implementation of funding and liquidity strategies to efficiently manage the bank's liquidity position within regulatory requirements and risk appetite at favourable commercial outcomes with respect to funding costs.
Analysis and quantification of the regulatory and behavioural liquidity risk impact of transactions undertaken by business units.
Maintenance of strong relationships with key business units and working with the business units to manage liquidity to within constrains.
Monitoring of key liquidity metrics and trends and advising on actions to be taken to maintain funding and liquidity levels within tolerance.
Skills Required
Understanding of Treasury and/or Risk systems in Barclays.
Reporting work experience in a Bank / Financial Institution.
Job ID: 142271981
Skills:
uat coordination , User Stories, Agile Methodology, Commercial Lending, Requirement Documents, Loan Management Systems, Collateral Limits, Interest Calculations, Loan Lifecycle, Process Flows, Core Banking Platforms, Business Analysis, corporate lending, Credit Risk, Repayment Schedules
Skills:
Agile Methodologies, Advanced Excel, Credit risk modelling, Systems engineering concepts, Business Analysis, Debt capital markets, Credit Analysis
Skills:
Vulnerability Management, Patch Management, Dlp, Encryption, ISO27001 Lead auditor certification, IT Security Controls, IT Controls Framework, External Audits, CISA Certified information systems auditor, IT Risk Audit
Skills:
Change Management, Sql Queries, Problem Solving, Stakeholder Engagement, ERP Systems, Project Management, Documentation Skills, Business Process, Data Analysis, Risk Management
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